About
Power Exchange India Limited (PXIL), Indias first institutionally promoted power exchange, has been providing innovative and credible solutions since 2008, and has revolutionized the way Indian power markets operate. PXILs unique combination of local insights and global perspectives has helped its members make better informed business and investment decisions, and has improved the overall efficiency of power markets in India by accurately and seamlessly connecting buyers and sellers.
Read moreFundamental
Power Exchange India Limited
Power Exchange PXIL
INE03N601010
58,470,050
AAECP6452C
₹10.00
₹5.91
96.48
35.86
₹3,332.79 Crore
₹20.12
28.33
₹ 680.00 (16/09/25)
₹ 325.00 (19/05/25)
₹ 680.00 (16/09/25)
₹ 325.00 (19/05/25)
No
NSDL and CDSL
No
Power & Electricity
U74900MH2008PLC179152
20/02/2008
Balance Sheet (RS in Lakhs)
| Particulars | 2025 | 2024 |
|---|---|---|
| Non-Current Assets | ||
| Property, Plant and Equipment | 42.44 | 17.34 |
| Intangible assets | 314.49 | 395.21 |
| Right to use assets | 469.58 | 281.63 |
| Non-current bank balance | 1,209.38 | 1,937.80 |
| Other financial assets | 64.89 | 59.51 |
| Deferred tax assets (net) | 28.71 | 58.46 |
| Non-current tax assets (net) | 113.12 | 161.59 |
| Other non-current assets | 6.21 | 4.13 |
| Current Assets | ||
| Investments | 5,857.85 | 157.04 |
| Trade receivables | 9.29 | 3.23 |
| Cash and cash equivalents | 15,904.56 | 19,871.67 |
| Bank balances other than above | 8,064.07 | 10,583.17 |
| Other financial assets | 532.15 | 406.64 |
| Other current assets | 31.53 | 19.28 |
| Total Assets | 32,648.27 | 33,956.68 |
| Equity | ||
| Equity Share Capital | 5,847.01 | 5,847.01 |
| Other Equity | 5,915.15 | 3,342.48 |
| Non-current liabilities | ||
| Non-current liabilities | 570.94 | 357.94 |
| Current liabilities | ||
| Deposits (unsecured) | 1,541.47 | 1,506.47 |
| Other financial liabilities | 17,672.19 | 21,501.27 |
| Total outstanding dues of micro and small enterprises | 12.68 | 5.27 |
| Total outstanding dues other than above | 604.9 | 889.84 |
| Other current liabilities | 165.76 | 151.22 |
| Provision | 249.12 | 162.18 |
| Income tax liabilities (net) | 69.05 | 193.03 |
| Total equity and liabilities | 32,648.27 | 33,956.68 |
Profit & Loss Statement (RS in Lakhs)
| Particulars | 2025 | 2024 |
|---|---|---|
| Revenue from Operations | ||
| Revenue from operations | 7707.6 | 5421.83 |
| Other Income | 1587.19 | 900.1 |
| Total Income | 9294.79 | 6321.93 |
| Expenses | ||
| Employee benefit expense | 1486.77 | 1092.95 |
| Finance cost | 73.11 | 47.6 |
| Depreciation and amortization expense | 281.14 | 337.57 |
| Other expenses | 2823.45 | 1885.81 |
| Total Expenses | 4664.47 | 3363.93 |
| Profit Before Tax | 4630.32 | 2958 |
| Tax Expenses | ||
| Current tax | 1150 | 772 |
| Deferred tax | 31.34 | -24.19 |
| Income tax adjustment relating to earlier year | -5.46 | - |
| Profit for the Year | 3454.44 | 2210.19 |
| Other Comprehensive Income | ||
| Remeasurements of the defined benefit plans | -6.31 | -15.63 |
| Tax impact on measurement of defined benefit plans | 1.59 | 3.93 |
| Total Comprehensive Income for the Year | 3449.72 | 2198.49 |
| Earnings per Equity Share | ||
| Basic (?) | 5.91 | 3.78 |
| Diluted (?) | 5.91 | 3.78 |
Cash Flow Statement (RS in Lakhs)
| Particulars | 2025 | 2024 |
|---|---|---|
| Cash Flow From Operating Activities | ||
| Net Profit Before Tax as per statement of profit and loss | 4,630.32 | 2,958.00 |
| Adjustments for: | ||
| Depreciation and amortisation expense | 175.02 | 258.38 |
| Amortisation of right to use assets | 103.14 | 77.39 |
| Interest on lease liabilities | 31.71 | 13.21 |
| (Gain) on sale of property, plant & equipment's | -0.03 | - |
| (Gain) on sale of investments | -50.46 | -4.48 |
| (Gain) on lease rent termination | -25.61 | - |
| Net loss/(gain) on investments measured at FVTPL | -135.89 | -5.18 |
| Amortization-financial assets | 2.97 | 1.8 |
| Interest on fixed deposits | -1,084.98 | -869.96 |
| Provision no longer required written off | 252.64 | 18.38 |
| Interest income from financial assets at amortised cost | -2.95 | -1.87 |
| Operating Profit before Working Capital Changes | 3,895.88 | 2,445.67 |
| Change in Operating Assets and Liabilities | ||
| (Increase)/decrease in trade receivables | -6.07 | 11.31 |
| (Increase) in other financial assets | -117.22 | -0.9 |
| (Increase) in other non-current assets | -2.08 | -2.84 |
| (Increase) in other current assets | -9.3 | -8.46 |
| (Decrease)/increase in trade payables, liabilities & provisions | -4,456.24 | 14,747.94 |
| Cash generated from Operations | -695.03 | 17,192.72 |
| Income taxes (paid) / (net of refund) | -959.56 | -714.38 |
| Net Cash generating from Operating Activities | -1,654.59 | 16,478.35 |
| Cash Flow From Investing Activities | ||
| Payment for property, plant and equipment and intangibles assets | -119.41 | -236.16 |
| Payment for investments in fixed deposits | -34,110.66 | -24,752.27 |
| Proceeds from fixed assets | 37,358.18 | 23,705.26 |
| Payment for purchase of investments | -7,749.66 | -1,144.98 |
| Proceeds from sale of investments | 2,235.19 | 1,044.31 |
| Proceeds from disposal of property, plant and equipment | 0.03 | - |
| Interest received | 1,068.34 | 687.87 |
| Net Cash From Investing Activities | -1,317.99 | -695.97 |
| Cash Flow From Financing Activities | ||
| Payment of lease liability | -85.76 | -86.47 |
| Dividend paid | -877.05 | - |
| Interest on lease liabilities | -31.72 | -13.21 |
| Net Cash From Financing Activities | -994.53 | -99.68 |
| Net Increase/(Decrease) in Cash and Cash Equivalents | -3,967.11 | 15,682.70 |
| Opening balance of cash and cash equivalents | 19,871.67 | 4,188.97 |
| Closing balance of cash and cash equivalents | 15,904.56 | 19,871.67 |
Financial Ratios
| Particulars | 2025 | 2024 |
|---|---|---|
| Current Ratio (in times) | 1.5 | 1.27 |
| Return on Equity Ratio (in %) | 32.93% | 27.17% |
| Trade Receivable Turnover Ratio (in times) | 829.4 | 1681.17 |
| Trade Payable Turnover Ratio (in times) | 4.57 | 2.11 |
| Net Capital Turnover Ratio (in times) | 0.76 | 0.82 |
| Net Profit Ratio (in %) | 44.76% | 40.55% |
| Return on Capital Employed Ratio (in %) | 47.58% | 41.32% |
| Debt Equity Ratio (in times) | 0.04 | 0.03 |
| Debt Services Coverage Ratio (in times) | 23.97 | 19.36 |
| Return on Investment (in %) | 7.38% | 6.33% |
How Its Work
Our team will contact you via Email or Phone
Contact our team to get the best prices for the shares you wish to buy or sell.
Secure Transaction Process
After deal confirmation and KYC, the seller transfers shares to our Demat account, while the buyer safely sends payment to our bank account.
Deal Completion
The final stage of the transaction where legal documents are signed, payments are settled, and ownership is officially transferred.
